Following its partnership with BOCHK AM, KL-based Areca Capital is considering a similar arrangement with Value Partners.

Following its partnership with BOCHK AM, KL-based Areca Capital is considering a similar arrangement with Value Partners.
Data suggests an ESG overlay improves returns and and reduces volatility for corporate bond investors, according to quantitative research by JP Morgan Asset Management.
The products are not yet available to accredited investors in Singapore.
FSA compares two flexible Asian fixed income products: The Templeton Asian Bond Fund and the JP Morgan Asian Total Return Bond Fund.
Small wealth managers; Aviva Investors results; Keeping it simple; Too many wars; City lessons; other musings and much more.
The “liquid global macro emerging market long-short fixed income” strategy aims to generate 6-8% gross return above overnight Libor.
The US-China trade dispute, slowing GDP growth and RMB currency concerns have punished A-share ETFs in the first seven months of the year.
Deutsche Wealth hires from Julius Baer; Janus Henderson high yield manager steps down; Aberdeen Standard expands Japan business scope; 15 firms receive Type 9 licences from the SFC; Hedge funds continue to perform; and more…
Chinese investors pour capital into offshore assets to protect against exchange rate fluctuations.
Morningstar ends coverage of the flagship BGF China fund following Helen Zhu’s exit, citing concerns about investment process and a lack of confidence in the management of the fund.
Part of the Mark Allen Group.